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England and Wales High Court (Commercial Court) Decisions |
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You are here: BAILII >> Databases >> England and Wales High Court (Commercial Court) Decisions >> Argos Pereira Espana SL & Anor v Athenian Marine Ltd [2021] EWHC 554 (Comm) (10 March 2021) URL: http://www.bailii.org/ew/cases/EWHC/Comm/2021/554.html Cite as: [2021] Bus LR 866, [2021] WLR(D) 164, [2021] EWHC 554 (Comm) |
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BUSINESS AND PROPERTY COURTS OF ENGLAND AND WALES
COMMERCIAL COURT(QBD)
AND IN THE MATTER OF AN ARBITRATION CLAIM
Rolls Building Fetter Lane, London, EC4A 1NL |
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B e f o r e :
SITTING AS A JUDGE OF THE HIGH COURT
____________________
(1) ARGOS PEREIRA ESPAÑA S.L. (2) GENERALI ESPAÑA S.A. |
Claimants (Claimants in the arbitration) |
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- and – |
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ATHENIAN MARINE LTD |
Defendant (Respondent in the arbitration) |
____________________
Alexander Wright (instructed Sachs Solicitors) for the Defendant
Hearing dates: 11 February 2021
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Crown Copyright ©
SIR MICHAEL BURTON GBE:
i) Whether an assignee of cargo claims under Bills of Lading (such as the Insurer in this case) can be held liable to pay equitable compensation to the carrier (the Owner in this case) if, in breach of an equitable obligation to arbitrate those claims, the assignee brings proceedings in respect of those claims in a foreign court against a party other than the carrier? ("the Equitable Compensation Question") and
ii) If so, whether the carrier can rely on the principle of 'transferred loss' , to claim such equitable compensation in respect of legal costs incurred by a third-party (Lavinia) in defending the assignee's claim against it in a foreign court, where the carrier itself was not the Defendant and did not suffer any such loss? ("the Transferred Loss question")
The Equitable Compensation Question
i) Derived Rights Obligations (helpfully called DROs in argument) . These arise when a party has a right derived under a contract, e.g. by way of assignment, subrogation or direct action statute, and, if it wishes to exercise such right, can only do so in accordance with the forum clause set out in the contract from which its rights are derived. The word 'inconsistent' is often used in this context, but it means 'inconsistently' with the terms of the contract under which the rights are derived: examples are The Jay Bola [1997] 2 Lloyds Rep 279, The Yusuf Cepnioglu [2016] 1 Lloyds Rep 641 and Airbus SAS v Generali Italia [2019] 2 Lloyds Rep 59. The obligation of the party who is thus 'bound' by such forum clause is often described as an equitable right equivalent to contract (see e.g. per Males LJ in Airbus at [93]-[97]) and by Raphael at 10.19 as a "substantive equitable obligation".
ii) Inconsistent Claim Obligations (ICOs). These are an equitable obligation on a foreign Claimant not to seek to take the benefit of a contract without the burden of the exclusive forum clause to which that contract is subjected, even in circumstances where the foreign Defendant denies that it is a party to the contract on which it is being sued. Examples are given by Cockerill J in the Archagelos Gabriel at [61], including Dell Emerging Markets v IB Maroc [2017] 2CLC 417 and XL Insurance Co SE v Little [2019] EWHC 1284 (Comm). The basis for it seems, as discussed by Cockerill J, as below, to be the Court's jurisdiction to restrain what is 'vexatious'.
" 21…..in order to find that the Cargo Insurer was somehow in breach of an equitable obligation owed to Owners not to bring the Spanish Proceedings against Charterers, the Arbitrator had to expand the scope of the "equivalent equitable obligation" identified in Airbus....This was unjustified as a matter of authority.
...
23…. the Arbitrator has mixed up those two principles [the DRO and the ICO] to hold that where a non-party, Party C (the Cargo Insurer) sues another non-party, Party D (Charterers), contrary to an arbitration clause in a contract between Party A (Owners) and Party B the Consignee), that might not just entitle Party D to an anti-suit injunction against Party C (save for West Tankers) but would also amount to a breach of an equitable obligation owed by Party C to Party A. That final leap is unjustified and unjustifiable. Such an obligation did not exist."
i) He refers to Meagher, Gummow & Lehane's Equity: Doctrines and Remedies (5th Ed) at 23-010 for the proposition that "the equitable jurisdiction to award compensation and damages depends on distinct principles that bear out the distinct principles and concerns of equity." Thus the principal categories are (a) breach of trust (b) breach of fiduciary duty (c) breach of confidence (d) dishonest assistance of a breach of trust: Snell's Equity at 20-029-033. He submits that it is only special (per Viscount Haldane LC in Nocton v Lord Ashburton [1914] AC 932 at 955) relationships, akin to trust, which found equitable compensation in the event of a breach. A DRO and an ICO do not constitute such obligations.
ii) The DRO arises, as Lord Hodge analyses it in the Atlantik Confidence [2020] Lloyds Rep IR 274 at [27], by way of a constraint on the assertion of an assignee's right through legal proceedings inconsistently with the contractual provision under which the assignee obtains the benefit. It is this inconsistency which is said by Hobhouse LJ in The Jay Bola at 286 to be the "unconscionable conduct" which justifies the intervention of equity. There is no special duty of trust e.g. on a fiduciary, which Mr Corby submits to be necessary to found a remedy of equitable compensation.
iii) He submits that the appropriate analogy is with a restrictive covenant enforceable in equity as in Tulk v Moxhay (1848) 18 LJ Ch 83 and Eastwood v Lever (1863) 4 de GL &SM 114, where a breach of such a covenant may give rise to a right to injunctive relief (or "statutory" damages under Lord Cairns' Act, now s50 of the SCA) but not to a right to equitable compensation.
iv) Hence it is that not only has there been no reported award of equitable compensation for breach of a DRO, but that in a considerable number of authorities he can find dicta which suggest that such remedy is not available. Thus:
a) In The Jay Bola at 286 Hobhouse LJ stated that the "only remedy is to apply for an injunction to restrain the assignee from refusing to recognise the equity of the debtor. The equitable remedy for such an infringement is the grant of an injunction." Mr Corby submits that the exclusion of a financial remedy in cases of breach of an equitable obligation can be contrasted with what Hobhouse LJ had said earlier at 285, as to cases of contractual breach, namely that an injunction would merely be the "primary remedy" in that case, and that the aggrieved party "also has the option to sue for damages for breach of contract".
b) In The Charterers Mutual Assurance Association Ltd v British & Foreign and TMM Transcap [1998] IL Pr 838 at [53] HHJ Diamond QC stated that "unless the court intervenes by way of injunctive relief the clause will be wholly ineffective and there will be no means of enforcing the...rights under English law."
c) In The Yusuf Cepnioglu [2016] 1 Lloyds Rep 641 Longmore LJ stated at [27] that "the insurers had a right to require arbitration ...which was an empty right unless enforceable by injunction", and Moore-Bick LJ said at [55] that "the commencement of proceedings contrary to the arbitration clause .... [would] "provide sufficient grounds for the court's intervention by way of the equitable remedy of an injunction". Neither of the Lords Justices suggested the availability of any other equitable remedy.
d) In West Tankers Inc v Ras Riunione Adriatica Di Sicurta [2005] 2 Lloyds Rep 257 at [71] Colman J held that breach of what was a DRO, although not an "actionable breach of the agreement to arbitrate.. gives rise to a right of protection by way of injunctive relief under English law".
e) In Airbus at [93]-[96] Males LJ cited Colman J with approval, and in summarising the consequences at 96(3) stated "the remedies available in such a case include the grant of a declaration in an appropriate case". He did not mention damages or compensation.
f) Mr Corby cites Raphael at 14.42-44 in relation to an ICO to the effect that "If there is a general substantive equitable obligation not to commence vexatious and oppressive or unconscionable litigation abroad which is capable of supporting such a claim for compensation, it is a shy creature. There is no reported case where compensation or damages have even been sought in equity in respect of such wrongful foreign litigation independent of Lord Cairns' Act; and there is no principle of the traditional rules of equity on which a general claim for compensation could be faced. The historical development of the anti-suit injunction is difficult to reconcile with the existence of a general claim for compensation or damages".
v) Anticipating two of Mr Wright's submissions, which he had made in his skeleton argument in opposition to permission to appeal: -
a) As to the Defendant's submission that if an injunction were not an available remedy by virtue of West Tankers v Allianz SPA [2009] ECR I -663, compensation must be available, or otherwise the injured party would be left without a remedy, Mr Corby submits first that the party could seek an injunction from the arbitrator under s66 of the Act, which would not be prevented by West Tankers, and secondly that Henshaw J suggested in The Prestige (No. 3) [2020] 2 Lloyds Rep 223 at [203]-[206] that West Tankers might not prevent the recovery of damages in lieu of an injunction.
b) As to Mr Wright's reliance upon obiter comments of Flaux J in The Front Comor [2012) 2 Lloyds Rep 103 at [77], that he could see that "there would be a strong case for awarding damages for breach of a duty to arbitrate", Mr Corby responds that, when Flaux J referred to equitable damages, he was referring not to equitable compensation but to damages under Lord Cairns' Act, to which he had expressly referred earlier at [63], namely to the "statutory power under section 50 of the Senior Courts Act 1981 to award equitable damages".
i) He agrees that it is necessary, as per Snell's Equity at 20-029, "to begin analysis by correctly identifying the content of the duty that has been breached", but, as Snell there records, "The principles are still being worked out" or, as Mr Wright put it, the law has moved on from Nocton v Lord Ashburton, and the categories of breaches of obligation for which equitable compensation can be awarded are not closed. Insofar as a pre-existing relationship is required, there is sufficient of a pre-existing relationship by reference to the pre-existing contract under which the assignee took the rights with which he is now acting inconsistently. Whereas Mr Corby referred to the passages in Raphael in which an ICO was being addressed, Mr Wright refers to the subsequent passages, in which Raphael is specifically addressing a DRO, at 14.48-49: -
"The landscape may be different in relation to specific equitable relationships which have a concrete existence independent of anti-suit injunctions and claims for damages, such as the equitable relationship which links an assignee of a contract to the debtor under the contract, or the subrogated insurer's relationship to the defendant to the subrogated claim.
...
In particular in the assignment situation, there would be a credible argument that the assignee's equitable obligation not to claim the substantive rights under the original contract without respecting the exclusive foreign clause to which those rights are inherently subject should be capable of supporting a claim for equitable compensation. If damages were not available in such a situation, it would be easier to weaken the force of an exclusive forum clause by assigning a contract to another linked party. It seems quite likely, therefore, that a remedy in damages or compensation will be held to exist through one analysis or another, and that failing a direct contractual claim, liability will be justified either on the basis that there is a claim for compensation in equity or on the basis the assignee is precluded by equity from denying his liability in contractual damages".
ii) Mr Wright draws attention to the passage in Raphael at 10.19 where he addresses the nub of the DRO:
"The authorities are not definitive in this regard, although the bulk of the current case law appears to be best explained on the basis that the positive obligation binding on the third-party is a substantive equitable obligation, binding a third-party not to seek to take the benefit of a contract without the burden of the exclusive forum clause to which that contract is subjected, which arises because it would be unconscionable, or contrary to good conscience, for the third-party to seek to do so. This specific equity differs from the debatable general equitable rights and obligations which may (but may not) underlie non-contractual anti-suit injunctions in general, as it means the third-party is "bound" to respect the clause. It is distinct from any such general equitable obligations and it may exist even if they do not."
Mr Wright submits that this "substantive equitable obligation" is of a kind which justifies the existence of a remedy of equitable compensation.
iii) There is also, Mr Wright submits, a justification by reference to the terms of s82(2) of the Act, whereby a "party" to arbitration includes "any person claiming under or through a party to the agreement". He points both to Russell on Arbitration (24th Ed, 2015) at para 3-031 and Merkin on Arbitration Law para 7.7.1 in support of the proposition that this has the effect of meaning that an assignee is "bound by the arbitration agreement", in the sense that the assignee is not a party to the agreement but is bound to honour it in equity. Hence it should be liable to pay equitable compensation for breach of that obligation. Mr Corby refers to The Prestige (No. 3) at [57]-[60] and Henshaw J's citation of Hamblen J in The Prestige (No 2) [2015] 2 Lloyds Rep 33 at [136] that a third party claiming under or through a party to an arbitration agreement is not a "party to the agreement in the full sense": but Mr Wright points to The Atlantik Confidence at [27] to support his proposition that the assignee becomes a party to the extent that it cannot enforce its derived right without the concomitant obligation to arbitrate and to that extent becomes bound.
iv) Mr Wright submits that reference to Tulk v Moxhay is inapt because the ratio of the rule in that case, as explained in Rhone v Stephens [1994] 2 AC 310 at 317C-F, is that the owner of land subject to the restrictive covenant had never acquired a right to use it in a manner inconsistent with those covenants and so could not grant any such rights to a subsequent purchaser, such that compensation for loss did not arise.
v) He submits that the rationale behind the existence of the DRO militates in favour of its being one for which there is a monetary remedy. He submits that the DRO arises as a result of the 'benefit and burden' principle (e.g. The Jay Bola at 286) or 'conditional benefit' (Chitty on Contracts 33rd Ed 2020 at 19 - 080), and there is no logical reason why the burden or condition should be limited by an obligation which does not sound in compensation. It would not then be an obligation "equivalent to contract" (e.g. per Males LJ in Airbus). In any event he submits that there is no reason why damages should not be recoverable, just as upon a breach of the 'equivalent' contractual obligation, including, as in CMA, recovery of the whole of the judgment debt in the impugned foreign proceedings.
vi) The absence of a right to recover compensation could lead to the prospect of abuse, pointed out by Raphael at 14.49, by a party assigning its rights to an assignee so that the assignee could sue in the non-contractual forum without risk of compensation. It would, as Mr Wright points out, also give the opportunity for impermissible forum shopping by a party with a DRO.
vii) Finally Mr Wright submits that the availability of relief for breach of the DRO should not depend upon the availability of an injunction, and should not stop at a declaration, which may have no impact. The claim for breach of the contractual obligation, to which the equitable obligation is said to be equivalent, is not so limited. An injunction may not be available, as in West Tankers, or may not be of any effect: and an injunction by an arbitrator under s66 may not be recognised. Commercial or time pressure may not permit an injunction or it sometimes may be more appropriate to attempt a strikeout application rather than an immediate injunction, as in Union Discount. Damages in lieu of an injunction under s50 of the SCA may not be available (of which more later).
i) As to Hobhouse LJ in The Jay Bola at 286, no case was being made before him for recovery of equitable compensation, and Sir Richard Scott VC at 291 does not seem, when agreeing with Hobhouse LJ, to have read his statement as predicating an injunction as being the exclusive remedy, because he said "I agree with Lord Justice Hobhouse that DVA's remedy is, prima facie,[my underlining] the grant of an injunction to restrain the attempt".
ii) Whereas Mr Wright recognises that, in the passages cited from the judgments of HHJ Diamond QC in Charterers Mutual and Longmore LJ in Yusuf, both judges referred to the clause being ineffective or the right being empty without the availability of an injunction, he submits that there is no reason to conclude that they were thereby ruling out the remedy of damages, and similarly so in respect of Moore-Bick LJ.
iii) He submits likewise that there is no reason to conclude that Colman J in the passage which Mr Corby cites from his West Tankers judgment was limiting the relief available to an injunction, when he notes that Males LJ in Airbus, while approving Colman J's dictum, went on to record at 96(3) the availability of a declaration in an appropriate case.
iv) Males LJ's statement was plainly not exclusive, in terms of ruling anything out: "The remedies available in such a case include the grant of a declaration in an appropriate case".
i) In the passage referred to in The Front Comor, Flaux J stated at [77] in relation to what was a breach of a DRO by subrogated insurers; "it seems to me there would be a strong case for awarding damages for breach of the duty to arbitrate". Raphael at 14.50 considers it more likely that he was not referring to s50 damages.
ii) Finally, and most recently, Henshaw J in The Prestige (No.3) at [209ff] refers to the "non-exhaustive nature" of the reference in Airbus to the available remedies, and cites Raphael at 14.41 to the effect that: "Monetary compensation (and possibly damages in equity) can be awarded in equity for infringements of equitable rights, independent of section 50. In principle therefore, compensation could be awarded in respect of foreign litigation that breached an equitable obligation not to pursue such litigation abroad." At 211 Henshaw J refers to the passages in Raphael at 14.48 and 14.52, part of which I have cited in paragraph 16 above, as being consistent with Flaux J's decision in The Front Comor, and concludes that the Club had a good arguable case for equitable compensation - "a good example of a complex and novel point of law", which he said he did not have to resolve, but I do.
The Transferred Loss Question
"The principle of transferred loss is a limited exception to the general rule that a claimant can recover only loss which he has himself suffered. It applies where the known object of a transaction is to benefit a third-party or a class of persons to which the third-party belongs, and the anticipated effect of a breach of duty will be to cause loss to that third party."
In BV Nederlandse Industrie v Rembrandt Enterprises Inc [2020] QB 551 Coulson LJ said at [72] that "the known third party benefit is an essential component" and at [73] that there must be "a common intention and/or a known object to benefit the third-party or a class of persons to which the third-party belonged".
Conclusion